Profile of Dr. Raad Mozib Lalon

... Name Dr. Raad Mozib Lalon
Designation Associate Professor
Last Degree PhD in Banking, MBA (Banking), BBA (Banking), University of Dhaka
   

Title of Degrees

Institution

Year of Passing

Major / Group

CGPA earned

PhD

University of Dhaka

2018

Banking

Awarded

MBA

University of Dhaka

2010

Banking

3.98 out of 4

BBA

University of Dhaka

2009

Banking

3.83 out of 4

HSC

Notre Dame College, Dhaka

2004

Business Studies

5 out of 5

SSC

Khilgaon Government High School, Dhaka

2002

Business Studies

4.50 out of 5

1. Lalon (2011) “An Econometric study on Exposures to Exchange rate fluctuations in Global Foreign Exchange Market Journal Business Studies, Southeast University, Dhaka

2. Islam Rafiqul & Lalon (2012), “Measuring efficiency on Capital Adequacy Management of Commercial Banks in Bangladesh – A Case Study of Eastern Bank Ltd.”, Journal of Banking & Financial Services, University of Dhaka.

3. Islam Rubayat & Lalon (2012) “ Use of Currency Derivatives by Local Companies to Hedge Foreign Exchange Market Related Risk in Bangladesh”  Journal of Banking & Financial Services, University of Dhaka.

4. Lalon  (2013) "Impact of Government borrowing on Bank liquidity Crisis: An Econometric Modeling”. Journal of Business Studies, DU

5. Mehedi, Lalon & Tariqul (2013) "An Econometric analysis on sustainabilty of electronic banking in Bangladesh: A comparative study between DBBL & HSBC" Journal of Banking & Financial Services, University of Dhaka

6. Lalon (2014) “ Measuring Efficiency of South American Foreign Exchange Derivatives Market in Minimizing Currency Risk: “An Evidence from Chilean FX Derivatives MarketJournal of Business Studies, University of Dhaka.

7. Lalon (2015) "Green Banking: Going Green" International Journal of Economics, Finance & Management sciences, Vol. 3, No. 1, Science Publishing group, USA

8. Lalon (2015) "Credit Risk Management (CRM) Practices in Commercial Banks of Bangladesh: “A Study on Basic Bank Ltd. International Journal of Economics, Finance & Management sciences, Vol. 3, No. 2, Science Publishing group, USA

9. Lalon & Nusrat (2015) " Impact of macroeconomic variables on the economic development of Bangladesh: An Empirical Study " International Journal of Economics, Finance & Management sciences, Vol. 3, No. 3, Science Publishing  group, USA

10. Lalon & Bazlul (2016) “Interest Rate Risk Management of Commercial Banks in Bangladesh Based on IS (Interest Sensitivity) GAP Analysis” International Journal of Economics, Finance & Management sciences, Vol. 5, No. 1, Science Publishing group, USA

11. Lalon & Bazlul (2017) “BASEL–ll Compliance Status of State Owned Commercial Banks in Bangladesh: ‘A Study on Agrani Bank Ltd” International Journal of Economics, Finance & Management sciences, Vol. 5, No. 2, Science Publishing group, USA

12. Lalon & Hossain (2017) “An Analysis of Financial Performance on Non-bank Financial Institutions (NBFI) in Bangladesh: A Study on Lanka-Bangla Finance Limited” International Journal of Economics, Finance & Management sciences, Vol. 5, No. 5, Science Publishing group, USA

 

 

1. Dean’s Merit Award for securing CGPA of 3.98 out of 4.00 in MBA Program, Department of Banking, University of Dhaka.

2. Dean’s Honor Award for securing CGPA of 3.98 out of 4.00 in MBA Program, Department of Banking, University of Dhaka.

3. Achieved “Certificate of Merit” for completing a course on “Business English” from the Institute of Modern Language (IML) Under Dhaka University.

4. Achieved “Certificate of Appreciation” for participating in the competition regarding the presentation on Millennium Development Goals (MDGs) organized by the Department of Development Studies of Dhaka University.

5. Achieved “Certificate of Merit” for achieving 3rd place among the students of Business Studies Group of Notre Dame College in Test Examination.

6. Awarded from Comilla Judge Court Employee Development Society for achieving GPA 5.00 on a scale of 5.00 in H.S.C Examination.

 
 

 

Bank Fund Management,

Risk Management in Banking,

Econometric Techniques

Multinational Financial Management

Financial Derivatives Market

Bank Treasury Management

Financial Markets & Institutions